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Introduction to Risk Management
edX
Course
Intermediate
Free to Audit

Introduction to Risk Management

New York Institute of Finance

Learn how to differentiate between financial and business risks.

1 hrs/week4 weeksEnglish2,536 enrolled
Free to Audit

About this Course

This economics and finance course is an introductory survey of risk management concepts and techniques. Learners will review the role of risk regulation in financial markets, and learn how to identify and describe the various types of financial risk and their sources. Upon completion of this course, participants will receive a certificate bearing the New York Institute of Finance (NYIF) name. A NYIF certificate is a valuable addition to your credentials, proving that you have acquired the work-ready skills that employer’s value. For those who wish to go further, students can enroll in the other four modules to earn the complete Risk Management Professional Certificate, backed by the New York Institute of Finance’s 93-year history. As a final option, students may also opt to sit for the NYIF Certificate of Mastery Exam, resulting in the Risk Management Certificate of Mastery upon successful completion.

What You'll Learn

  • Differentiate between financial risks and business risks.
  • Identify and describe the various types of financial risk and their sources.
  • Identity the real-world violations of the ‘standard model’ assumptions that make risk management value enhancing to the firm.
  • Differentiate between risk measurement and risk management.
  • Describe systemic risk as a negative externality.
  • Describe the US regulatory structure.

Prerequisites

  • Basic MS Excel skills
  • Basic probability and statistics

Instructors

A

Anton Theunissen

Instructor

Topics

Economics
Risk Management
Financial Market
Financial Risk
Finance

Course Info

PlatformedX
LevelIntermediate
PacingUnknown
PriceFree to Audit

Skills

الاقتصاد
إدارة المخاطر
السوق المالية
المخاطر المالية
التمويل

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